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51.
Microcystin-LR (MC-LR) was readily biodegraded on addition to six different water samples irrespective of their previous exposure to microcystins. Subsequent studies with water from three of these water bodies confirmed the degradation of MC-LR and also demonstrated the biodegradation of MC-LF, nodularin and mixture of microcystins and nodularin. Rates of degradation of MC-LR, MC-LF and NOD in individual water samples ranged from a half-life of 4 to 18d. Analysis by HPLC-PDA-ESI+ and MALDI MS/MS revealed novel intermediate degradation products of MC-LF and nodularin which included demethylation, hydrolysis, decarboxylation and condensation of the parent compound(s). Our study suggests a possible diversity of micro-organisms and/or pathways which has not been previously observed. 相似文献
52.
Shirish Bhat Jennifer M. Jacobs Kirk Hatfield Wendy D. Graham 《Environmental monitoring and assessment》2010,167(1-4):297-307
The magnitude, frequency, duration, timing, and rate of change of hydrologic conditions regulate ecological processes in aquatic ecosystems. Conditions are typically characterized using annual-based hydrologic indices derived from daily and/or monthly stream flow data. In this study, we present an alternative approach to identify hydrologic indices based on storm hydrographs. Hydrologic indices derived from long-term daily flow data were compared to those from storm events for two headwater watersheds in Fort Benning, Georgia. Five hydrologic indices derived from daily flow data and storm events shared common features. Storm-based magnitude of mean peak discharge and mean response factor, frequency of bankfull discharge, rate of change in mean slopes of rising, and falling limb of the hydrograph were consistent with the results from long-term daily flow data. The annual flow increases and decreases were well matched by stormflow rising and falling. Both indicators showed one watershed having three times the response rates as compared to the other. Results suggested that select storm-based indices may be used as surrogates to the indices derived from long-term data. 相似文献
53.
Graham McBride Russell G. Cole Ian Westbrooke Ian Jowett 《Environmental monitoring and assessment》2014,186(5):2729-2740
Interpreting a P value from a traditional nil hypothesis test as a strength-of-evidence for the existence of an environmentally important difference between two populations of continuous variables (e.g. a chemical concentration) has become commonplace. Yet, there is substantial literature, in many disciplines, that faults this practice. In particular, the hypothesis tested is virtually guaranteed to be false, with the result that P depends far too heavily on the number of samples collected (the ‘sample size’). The end result is a swinging burden-of-proof (permissive at low sample size but precautionary at large sample size). We propose that these tests be reinterpreted as direction detectors (as has been proposed by others, starting from 1960) and that the test’s procedure be performed simultaneously with two types of equivalence tests (one testing that the difference that does exist is contained within an interval of indifference, the other testing that it is beyond that interval—also known as bioequivalence testing). This gives rise to a strength-of-evidence procedure that lends itself to a simple confidence interval interpretation. It is accompanied by a strength-of-evidence matrix that has many desirable features: not only a strong/moderate/dubious/weak categorisation of the results, but also recommendations about the desirability of collecting further data to strengthen findings. 相似文献
54.
Russell M. Wise Graham P. von Maltitz Robert J. Scholes Chris Elphinstone Renee Koen 《Mitigation and Adaptation Strategies for Global Change》2009,14(7):579-604
Minimising the cost of repeatedly estimating C (C) stocks is crucial to the financial viability of projects that seek to sell
C credits. Depending on the price of C, this may imply less or more sampling effort than would be applied for science objectives.
In systems with heterogeneous C pools, such as savannas, this translates into a variable-effort sampling strategy that maximises
the marginal additional C that can be claimed per incremental unit of effort expended. Analysis of a savanna in north-eastern
South Africa indicates relatively modest returns per hectare due to the small C quantities and low sequestration rates. Under
these conditions, areas in excess of 1,000 ha and infrequent sampling frequencies of 5–10 years are required to make such
projects financially viable. For such projects the sample variance, number of samples, cost per sample and establishment costs
have negligible impacts on financial viability. It was also found that the soil-C pool contributes up to three times the net
returns of the aboveground C pool and provides a strong argument to monitor soil C for certification and market trading. The
financial viability estimates, however, do not include the management or opportunity costs incurred in changing the land use.
The economies of scale identified in this study combined with the massive area covered by savannas indicate that these additional
costs can be covered. Further research is recommended to quantify these costs and interrogate the feasibility of large scale
(in excess of 10,000 ha) C-sink projects in savanna systems. 相似文献
55.
56.
Assessing ecological risk on a regional scale 总被引:17,自引:0,他引:17
Carolyn T. Hunsaker Robin L. Graham Glenn W. Suter II Robert V. O'Neill Lawrence W. Barnthouse Robert H. Gardner 《Environmental management》1990,14(3):325-332
Society needs a quantitative and systematic way to estimate and compare the impacts of environmental problems that affect
large geographic areas. This paper presents an approach for regional risk assessment that combines regional assessment methods
and landscape ecology theory with an existing framework for ecological risk assessment. Risk assessment evaluates the effects
of an environmental change on a valued natural resource and interprets the significance of those effects in light of the uncertainties
identified in each component of the assessment process. Unique and important issues for regional risk assessment are emphasized;
these include the definition of the disturbance scenario, the assessment boundary definition, and the spatial heterogeneity
of the landscape.
Although the research described in this article has been funded wholly or in part by the United States Environmental Protection
Agency (EPA) through Interagency Agreement Number DW89932112-01-2 to the U.S. Department of Energy, it has not been subjected
to EPA review and therefore does not necessarily reflect the views of EPA and no official endorsement should be inferred. 相似文献
57.
58.
F B. Pierson W. H. Blackburn S. S. Van Vactor J. C. Wood 《Journal of the American Water Resources Association》1994,30(6):1081-1089
ABSTRACT: Most hydrologic models require input parameters which represent the variability found across an entire landscape. The estimation of such parameters is very difficult, particularly on rangeland. Improved model parameter estimation procedures are needed which incorporate the small-scale and temporal variability found on rangeland. This study investigates the use of a surface soil classification scheme to partition the spatial variability in hydrologic and interrill erosion processes in a sagebrush plant community. Four distinct microsites were found to exist within the sagebrush coppice-dune dune-interspace complex. The microsites explained the majority of variation in hydrologic and interrill erosion response found on the site and were discernable based on readily available soil and vegetation information. The variability within each microsite was quite low and was not well correlated with soil and vegetation properties. The surface soil classification scheme defined in this study can be quite useful for defining sampling procedures, for understanding hydrologic and erosion processes, and for parameterizing hydrologic models for use on sagebrush range-land. 相似文献
59.
Graham A. Tobin Burrell E. Montz 《Journal of the American Water Resources Association》1994,30(4):673-685
ABSTRACT: Literature on the flood hazard/residential land market relationship is full of contradictory findings, many of which are counter-intuitive to the belief that flooding has a negative impact on house prices. This research advances a conceptual framework through which these relationships might be re-examined. Based on the expected utility model, the theoretical framework integrates the economic notion of capitalization with spatial and temporal characteristics of the flood hazard. Four communities with different flood regimes are used to test the effect of flooding on the residential real estate market. Results show that, (1) there is an identifiable relationship between characteristics of the flood hazard and changes in house values; (2) the length of the recovery period is dependent on characteristics and expectations of flooding, attributes of the real estate market, and availability of capital to fuel recovery; and (3) dynamics of the urban market and spatial extent of the flood hazard influence these relationships. Further research is now necessary to examine these findings under different spatial, temporal, hydrological, and socio-economic conditions. 相似文献
60.
A. Graham Tipple 《Journal of Environmental Planning and Management》1985,28(1):50-52
The New Cities of Egypt represent a major effort to redistribute investment and population away from Cairo and the Delta in a brave attempt to use desert land. Through a study of three cities under construction, the reliance on government‐built walk‐up flats for housing provision is discussed and its relevance for later phases questioned. In conclusion, the efficacy of the New Cities as counter‐attractions is doubted in the absence of effective controls on the growth of Cairo. 相似文献